Recent Annual Filings for HAE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $2,450,948,000 $1,360,824,000 $1,148,753,000 $148,227,000 $181,725,000 $108,818,000 $127,963,000
2024 $2,195,591,000 $1,309,055,000 $1,157,190,000 $112,307,000 $181,751,000 $38,157,000 $-105,666,000
2023 $1,934,825,000 $1,168,660,000 $1,027,257,000 $110,974,000 $273,058,000 $-100,364,000 $24,970,000
2022 $1,859,734,000 $993,196,000 $929,567,000 $46,968,000 $172,263,000 $-15,749,000 $67,191,000
2021 $1,819,923,000 $870,463,000 $797,550,000 $95,057,000 $108,805,000 $367,452,000 $54,994,000
2020 $1,267,110,000 $988,479,000 $901,327,000 $61,771,000 $158,217,000 $-131,208,000 $-32,040,000
2019 $1,274,767,000 $967,579,000 $893,946,000 $43,630,000 $159,281,000 $-50,628,000 $-10,818,000
2018 $1,237,339,000 $903,923,000 $844,291,000 $59,454,000 $220,350,000 $-120,643,000 $40,605,000